汇宇制药

- 688553

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汇宇制药(688553)项目:基金持股
截止日期
2024-06-30
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
2.7553
99629600
2.7553
99629600
1.7903
64736800
1.7903
64736800
1.2022
43470000
0.687
24840000
0.687
24840000
0.5152
18630000
0.4
14464400
0.4
14464400
0.2501
9043000
0.2462
8903850
0.2462
8903850
0.2462
8903850
0.2452
8865570
0.2452
8865570
0.2102
7599130
0.2102
7599130
0.1835
6635310
0.1835
6635310
0.183
6615430
0.183
6615430
0.1431
5175220
0.1431
5175220
0.1412
5104810
0.1283
4638470
0.1278
4622750
0.1273
4604800
0.1273
4604800
0.1202
4347000
0.1202
4347000
0.1137
4111690
0.1137
4111690
0.1122
4057530
0.0711
2572700
0.0711
2572700
0.0561
2030150
0.0561
2030150
0.0417
1507660
0.0417
1507660
0.0349
1260580
0.0349
1260580
0.0345
1246970
0.0345
1246970
0.03
1085510
0.03
1085510
0.0173
625620
0.0173
625620
0.0158
571320
0.0158
571320
0.015
542978
0.015
542978
0.0137
494316
0.0137
494316
0.0118
425025
0.0118
425025
0.0067
240948
0.0067
240948
0.0063
226044
0.0063
226044
0.0054
193752
0.0054
193752
0.0043
156492
0.0043
156492
0.0041
148829
0.0041
148829
0.0037
134136
0.0037
134136
0.0034
122958
0.0034
122958
0.0033
119232
0.0033
119232
0.0031
110886
0.0031
110886
0.0029
104241
0.002
73265.6
0.002
73265.6
0.0018
64584
0.0018
64584
0.0016
57318.3
0.0014
50922
0.0012
43234
0.0012
43234
0.0008
29286.4
0.0005
17388
0.0005
17388
0.0004
14904
0.0004
14904
0.0003
9302.58
0.0003
9302.58
0.0002
7452
0.0002
7452
0
1117.8
0
1117.8
0
993.6
0
993.6
截止日期
2023-12-31
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
1.363
60036900
1.363
60036900
0.943
41538000
0.519
22860300
0.519
22860300
0.512
22553900
0.512
22553900
0.2338
10299500
0.1997
8797100
0.1997
8797100
0.184
8104130
0.184
8104130
0.183
8058890
0.183
8058890
0.1333
5870790
0.1333
5870790
0.1315
5792250
0.1315
5792250
0.1192
5249140
0.1182
5206810
0.1182
5206810
0.1089
4797840
0.1089
4797840
0.1024
4512420
0.1024
4512420
0.08
3524560
0.0711
3134060
0.0711
3134060
0.0687
3026000
0.0687
3026000
0.0646
2845800
0.052
2290300
0.052
2290300
0.0471
2075580
0.0471
2075580
0.0416
1833290
0.0398
1753670
0.0398
1753670
0.0319
1403070
0.0319
1403070
0.0293
1291350
0.0184
808623
0.0184
808623
0.0182
803403
0.0182
803403
0.0157
692122
0.0157
692122
0.0122
538840
0.0122
538840
0.011
484160
0.011
484160
0.0103
453900
0.0103
453900
0.0093
411536
0.0093
411536
0.0084
372198
0.0084
371926
0.0084
371926
0.0079
349518
0.0079
349518
0.0072
318668
0.0072
318668
0.0067
293522
0.0067
293522
0.006
262596
0.006
262596
0.0053
233456
0.0053
233456
0.0034
149757
0.0034
149757
0.0031
135081
0.0031
135081
0.0031
135081
0.0026
114988
0.0026
114988
0.0025
108936
0.0023
102884
0.0016
72124.7
0.0014
62108.6
0.0013
57781.5
0.0012
53439.2
0.0012
52667.5
0.0012
52667.5
0.001
45919.6
0.001
45919.6
0.001
45919.6
0.0004
19669
0.0003
15130
0.0003
15130
0.0001
4962.64
0.0001
4962.64
0
1513
0
1513
0
1361.7
0
1361.7
截止日期
2023-06-30
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.43
18566200
0.43
18566200
0.0031
133295
0.0031
133295
0.0031
133295
0.0031
133295
0.0031
133295
0.0028
122725
0.0028
122725
0.0012
51971.3
0.0012
51971.3
0.0012
49985.6
0.001
45312.6
0.001
45312.6
0.001
45312.6
0.0009
37981.9
0.0009
37981.9
0.0009
37981.9
0.0001
4897.04
0.0001
4897.04
0
2090.2
0
1493
0
1493
截止日期
2022-12-31
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0443
1997980
0.0065
295088
0.0035
155900
0.0031
139188
0.0031
139188
0.0031
139188
0.0031
139188
0.0031
139188
0.0031
139188
0.0031
139188
0.0031
139188
0.0031
139188
0.0029
130130
0.0029
130130
0.0028
128150
0.0028
128150
0.0028
124720
0.0028
124720
0.0027
121789
0.0027
121789
0.0018
81411
0.0012
54268.8
0.0012
54268.8
0.0012
52195.3
0.001
47315.6
0.001
47315.6
0.001
47315.6
0.0009
39661
0.0009
39661
0.0009
39661
0.0008
38273.4
0.0008
38273.4
0.0001
5113.52
0.0001
5113.52
截止日期
2022-09-30
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0171
167757
截止日期
2022-07-12
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0058
72445.5
0.0058
72445.5
0.0058
72445.5
截止日期
2022-06-30
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0362
459761
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.0171
216861
0.017
215768
0.017
215768
0.016
202749
0.016
202749
0.0151
191915
0.0151
191915
0.0149
189753
0.0149
189753
0.0126
160460
0.0126
160460
0.0111
140955
0.0108
137700
0.0108
137700
0.0108
136607
0.0108
136607
0.0102
130097
0.0102
130097
0.01
126842
0.0093
118171
0.0093
118171
0.0085
108431
0.0083
105176
0.0077
97572.9
0.0073
93249.3
0.0073
93249.3
0.0071
89994.5
0.007
88901.4
0.007
88901.4
0.0067
84553.5
0.0067
84553.5
0.0064
81322.9
0.0062
79136.8
0.0058
73720.1
0.0058
73720.1
0.0058
73720.1
0.0056
71558.3
0.0056
71558.3
0.0049
61793.8
0.0049
61793.8
0.0049
61793.8
0.0048
60700.7
0.0048
60700.7
0.0047
59631.9
0.0047
59631.9
0.0029
36847.9
0.0006
7967.12
0.0006
7967.12
0.0006
7214.13
0.0006
7214.13
0.0003
3789.24
0.0003
3789.24
0.0001
1870.33
0.0001
1870.33
截止日期
2022-03-31
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.018
247931
0.018
247931
0.018
247931
0.018
247931
0.018
247931
0.018
247931
0.018
247931
0.018
247931
0.0099
136351
0.0063
86753.5
0.0063
86753.5
0.0059
81781
截止日期
2021-12-31
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0.0381
636549
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286767
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
300249
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
300249
0.018
300249
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
300249
0.018
300249
0.018
300249
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
300249
0.018
286678
0.018
300249
0.018
300249
0.018
300249
0.018
300249
0.018
300249
0.018
300249
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
300249
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
286678
0.018
300249
0.018
286678
0.018
300249
0.018
300249
0.018
300249
0.018
300249
0.018
286678
0.0179
298735
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0.0057
90293.3
0.0057
90293.3
0.0056
88848.4
0.0056
88848.4
0.0056
88848.4
0.0055
87435.5
0.0054
85990.6
0.0054
90061.1
0.0053
84545.6
0.0053
84545.6
0.0052
83132.8
0.0051
85554.7
0.0051
81687.8
0.0051
81687.8
0.0051
85554.7
0.005
80242.9
0.005
80242.9
0.0049
82561.6
0.0049
82561.6
0.0048
77385.1
0.0048
77385.1
0.0047
74527.3
0.0046
73082.4
0.0046
73082.4
0.0045
71669.5
0.0044
73548.8
0.0044
73548.8
0.0044
73548.8
0.0044
70246.4
0.0044
70246.4
0.0044
70224.6
0.0044
70224.6
0.0043
68779.6
0.0043
68779.6
0.0043
68779.6
0.0043
68801
0.0041
65921.8
0.0041
65921.8
0.004
63064
0.004
63064
0.004
63064
0.0039
64536
0.0038
60174.1
0.0037
61912.8
0.0037
61912.8
0.0037
61542.9
0.0037
61542.9
0.0037
58761.3
0.0037
58761.3
0.0036
60029.6
0.0034
54475.5
0.0034
54475.5
0.0034
54458.6
0.0034
54458.6
0.0033
53013.6
0.0032
51600.8
0.0032
51600.8
0.0031
52530.1
0.0031
52530.1
0.0031
48710.9
0.003
47298
0.003
47298
0.003
47298
0.003
47298
0.0028
44408.1
0.0028
44408.1
0.0026
41550.3
0.0025
40105.4
0.0025
40105.4
0.0025
40105.4
0.0024
38692.6
0.0017
27229.3
0.0002
2589.51
0.0002
2589.51
0
67.26
0
67.26
截止日期
2021-10-22
基金名称
基金代码
持仓数量(股)
占流通股比例(%)
持股市值(元)
占净值比例(%)
0
347031
0
347031
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